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NYSE:MHI

Pioneer Municipal High Income Fund, Inc.

  • Stock

USD

Last Close

8.95

22/08 22:30

Market Cap

207.67M

Beta: 0.47

Volume Today

60.08K

Avg: 84.04K

Dividend Yield

4.34%

Payout:0%

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Apr '15
Apr '16
Apr '17
Apr '18
Apr '19
Apr '20
Apr '21
Apr '22
Apr '23
Apr '24
net income
24.18M
-
23.47M
2.95%
-681.16K
102.90%
10.91M
1,701.98%
21.17M
93.98%
5.29M
75.00%
32.34M
511.17%
-40.07M
223.88%
-4.87M
87.84%
-1.64M
66.33%
depreciation and amortization
deferred income tax
stock based compensation
change in working capital
446.36K
-
569.00K
27.48%
-345.07K
160.65%
-37.62K
89.10%
1.62M
4,404.93%
accounts receivables
404.90K
-
340.73K
15.85%
-345.02K
201.26%
-114.48K
66.82%
1.44M
1,360.94%
inventory
-10.16K
-
accounts payables
-672
-
10.16K
-
-1.38K
113.61%
other working capital
42.13K
-
228.28K
441.80%
-57
100.02%
76.86K
134,949.12%
177.20K
130.54%
other non cash items
-24.18M
-
-23.47M
2.95%
681.16K
102.90%
-10.91M
1,701.98%
-21.17M
93.98%
14.66M
169.24%
-44.18M
401.43%
48.92M
210.75%
32.05M
34.49%
6.42M
79.95%
net cash provided by operating activities
20.39M
-
-11.26M
155.23%
8.51M
175.57%
27.14M
218.83%
7.85M
71.09%
investments in property plant and equipment
acquisitions net
purchases of investments
-70.26M
-
-69.35M
1.30%
-51.41M
25.86%
-220.63M
329.12%
-106.82M
51.59%
sales maturities of investments
77.63M
-
44.43M
42.77%
47.11M
6.04%
238.45M
406.17%
190.05M
20.30%
other investing activites
net cash used for investing activites
7.37M
-
-24.92M
438.26%
-4.31M
82.73%
17.82M
514.00%
83.24M
366.98%
debt repayment
-20M
-
common stock issued
common stock repurchased
-16M
-
-79M
393.75%
dividends paid
-12.98M
-
-13.32M
2.63%
-10.93M
17.95%
-11.00M
0.62%
-8.22M
25.26%
other financing activites
-304.23K
-
40M
13,247.90%
net cash used provided by financing activities
-13.28M
-
6.68M
150.28%
-10.93M
263.66%
-27.00M
147.01%
-87.22M
223.06%
effect of forex changes on cash
-7.37M
-
24.92M
438.26%
4.31M
82.73%
-17.82M
514.00%
net change in cash
7.11M
-
-4.58M
164.49%
-2.42M
47.25%
140.19K
105.80%
3.86M
2,653.30%
cash at beginning of period
822.91K
-
-3.89M
572.77%
7.11M
282.75%
2.53M
64.49%
106.71K
95.77%
246.90K
131.38%
cash at end of period
822.91K
-
3.22M
291.22%
2.53M
21.57%
106.71K
95.77%
246.90K
131.38%
4.11M
1,563.37%
operating cash flow
20.39M
-
-11.26M
155.23%
8.51M
175.57%
27.14M
218.83%
7.85M
71.09%
capital expenditure
free cash flow
20.39M
-
-11.26M
155.23%
8.51M
175.57%
27.14M
218.83%
7.85M
71.09%

All numbers in USD (except ratios and percentages)